Recent Annual Filings for GFF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,370,954,000 $2,623,520,000 $2,326,870,000 $221,883,000 $377,266,000 $-298,748,000 $11,549,000
2023 $2,418,879,000 $2,685,183,000 $2,572,501,000 $90,345,000 $428,771,000 $-400,162,000 $-17,295,000
2022 $2,816,474,000 $2,848,488,000 $3,119,367,000 $-228,319,000 $69,438,000 $393,345,000 $-128,469,000
2021 $2,604,685,000 $2,270,626,000 $2,159,447,000 $105,326,000 $111,769,000 $-28,245,000 $30,564,000
2020 $2,456,017,000 $2,407,522,000 $2,324,765,000 $47,253,000 $134,008,000 $68,190,000 $145,712,000
2019 $2,074,939,000 $2,209,289,000 $2,137,111,000 $5,483,000 $111,835,000 $-34,976,000 $2,619,000
2018 $2,084,890,000 $1,977,918,000 $1,944,108,000 $152,047,000 $20,822,000 $39,065,000 $22,077,000
2017 $1,873,541,000 $1,524,997,000 $1,508,299,000 $35,672,000 $96,344,000 $-700,000 $-24,872,000